Factors influencing bank risk in Europe: Evidence from the financial crisis

被引:96
|
作者
Baselga-Pascual, Laura [1 ]
Trujillo-Ponce, Antonio [1 ]
Cardone-Riportella, Clara [1 ]
机构
[1] Univ Pablo de Olavide, Dept Financial Econ & Accounting, ES-41013 Seville, Spain
来源
NORTH AMERICAN JOURNAL OF ECONOMICS AND FINANCE | 2015年 / 34卷
关键词
Bank risk; European banking system; Eurozone; Non-performing loans; Z-score; SYSTEMIC RISK; CAPITAL REGULATION; DIVERSIFICATION; PERFORMANCE; IMPACT; COMPETITION; MANAGEMENT; BUSINESS; DETERMINANTS; SUPERVISION;
D O I
10.1016/j.najef.2015.08.004
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
We use a dynamic panel data model to analyze bank-specific and macroeconomic determinants of bank risk for a large sample of commercial banks operating in the euro area. The selected time span, from 2001 to 2012, considers the impact of the on-going financial and economic crisis on the Eurozone banking system. Our results indicate that capitalization, profitability, efficiency and liquidity are inversely and significantly related to bank risk. However, the recourse to wholesale funding by banks seems to increase their risk. We also find that less-concentrated markets, lower interest rates, higher inflation rates and a context of economic crisis (with a falling GDP) increase bank risk. (C) 2015 Elsevier Inc. All rights reserved.
引用
收藏
页码:138 / 166
页数:29
相关论文
共 50 条
  • [1] Bank dividend policy and the global financial crisis: Empirical evidence from Europe
    Basse, Tobias
    Reddemann, Sebastian
    Riegler, Johannes-Joerg
    von der Schulenburg, J. -Matthias Graf
    EUROPEAN JOURNAL OF POLITICAL ECONOMY, 2014, 34 : S25 - S31
  • [2] Labor unions and bank risk culture: evidence from the financial crisis
    Bui, Dien Giau
    Chen, Yan-Shing
    Hsu, Hsing-Hua
    Lin, Chih-Yung
    JOURNAL OF FINANCIAL STABILITY, 2020, 51
  • [3] Bank funding structures and risk: Evidence from the global financial crisis
    Vazquez, Francisco
    Federico, Pablo
    JOURNAL OF BANKING & FINANCE, 2015, 61 : 1 - 14
  • [4] Bank Competition and Financial Stability: Evidence from the Financial Crisis
    Akins, Brian
    Li, Lynn
    Ng, Jeffrey
    Rusticus, Tjomme O.
    JOURNAL OF FINANCIAL AND QUANTITATIVE ANALYSIS, 2016, 51 (01) : 1 - 28
  • [5] Bank risk factors and changing risk exposures: Capital market evidence before and during the financial crisis
    Bessler, Wolfgang
    Kurmann, Philipp
    JOURNAL OF FINANCIAL STABILITY, 2014, 13 : 151 - 166
  • [6] Financial inclusion and bank stability: evidence from Europe
    Danisman, Gamze Ozturk
    Tarazi, Amine
    EUROPEAN JOURNAL OF FINANCE, 2020, 26 (18): : 1842 - 1855
  • [7] Foreign bank lending: Evidence from the global financial crisis
    Albertazzi, Ugo
    Bottero, Margherita
    JOURNAL OF INTERNATIONAL ECONOMICS, 2014, 92 : S22 - S35
  • [8] The determinants of bank CDS spreads: evidence from the financial crisis
    Chiaramonte, Laura
    Casu, Barbara
    EUROPEAN JOURNAL OF FINANCE, 2013, 19 (09): : 861 - 887
  • [9] The determinants of bank risks: Evidence from the recent financial crisis
    Leung, W. S.
    Taylor, N.
    Evans, K. P.
    JOURNAL OF INTERNATIONAL FINANCIAL MARKETS INSTITUTIONS & MONEY, 2015, 34 : 277 - 293
  • [10] Short-selling threats and bank risk-taking: Evidence from the financial crisis
    Bui, Dien Giau
    Hasan, Iftekhar
    Lin, Chih-Yung
    Nguyen, Hong Thoa
    JOURNAL OF BANKING & FINANCE, 2023, 150